First trade (Trades 22-26) - No idea where this data is coming from. Wrong time, wrong entry/exit price, correct close time.....
Second trade (Trades 27-28) - Exactly how it should be.
fyi the second trade was shortly after the first trade by seconds/minutes
Where is NT picking up the data for the first NQ trade. How can it be getting this wrong on one trade and right on the other.....? And why can i not just amend this clearly incorrect data, i.e. right click > edit > save....done
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